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January 8, 2026
Jason Vanclef Linked To Westpark Capital Investor Dispute Alleging Breach Of Fiduciary duty

Investors potentially experienced sales practice violations by securities broker Jason Bryce Vanclef [CRD: 5096529, Los Angeles, California], according to disclosures on Financial Industry Regulatory Authority (FINRA) BrokerCheck. Jason Vanclef worked for Westpark Capital Inc. from October 9, 2017, to January 27, 2020, and later associated with Delta Investment Management LLC from November 26, 2018, to […]

January 6, 2026
Derek Malone Linked To Infinex Investments Investor Complaint About Misrepresentation

Investors potentially experienced sales practice violations by securities broker Derek Wilhelm Malone [CRD: 5495233, New York, New York], according to public information on Financial Industry Regulatory Authority (FINRA) BrokerCheck. Derek Malone has been registered with Osaic Institutions Inc. (also known as Infinex Investments) since July 1, 2016, where he worked as a broker and investment […]

January 6, 2026
Kevin Canterbury Connected To Coastal Equities Investor Complaints About Unsuitable Advice

Investors potentially incurred losses because of securities broker Kevin Todd Canterbury [CRD: 4939385, Scottsdale, Arizona], based on public information on Financial Industry Regulatory Authority (FINRA) BrokerCheck. It appears that Canterbury worked for Coastal Equities Inc. from September 26, 2012, to August 27, 2020. Keep reading to learn more about Canterbury’s disclosures. Coastal Equities Investor Accused […]

January 6, 2026
Bradley Ford Involved In Madison Avenue Securities Investor Unsuitable Advice Complaint

Investors have reportedly disputed the sales practices of securities broker Bradley Scott Ford (also known as Brad Ford) [CRD: 1649604, Evansville, Indiana], according to publicly available information on Financial Industry Regulatory Authority (FINRA) BrokerCheck. It appears that Ford worked for Madison Avenue Securities LLC beginning on October 9, 2019, as a broker and October 13, […]

January 6, 2026
Joyce Thomas Involved In Voya And IFG Investor Complaints About Misrepresentation

Investors apparently complained about securities broker Joyce An Thomas (also known as Cho Ching An) [CRD: 2713664, Diamond Bar, California], according to disclosures on Financial Industry Regulatory Authority (FINRA) BrokerCheck. It appears that Thomas has worked for Independent Financial Group LLC since October 8, 2015. See below to find out more about the disclosures involving […]

January 6, 2026
Jason Nardella Tied To Ameriprise Investor Complaint About Unauthorized Trading

Investors potentially experienced sales practice violations by securities broker Jason James Nardella (also known as Jay Nardella) [CRD: 2931678, Naples, Florida], based on publicly available information on Financial Industry Regulatory Authority (FINRA) BrokerCheck. It appears that Nardella has been registered with Ameriprise Financial Services LLC from October 8, 1997, to the present in his broker […]

January 6, 2026
Neal Hayias Faced Equitable Advisors Investor Complaint About Unsuitable Advice

Investors potentially incurred losses because of securities broker Neal Edward Hayias [CRD: 854703, Melville, New York], according to publicly available information on Financial Industry Regulatory Authority (FINRA) BrokerCheck. It appears that Hayias has worked for Equitable Advisors LLC since June 1, 2005, in a broker capacity and since August 29, 2008, as an investment adviser […]

January 6, 2026
Nathan Wells Tied To Voya Financial Advisors Investors’ Misrepresentation Complaints

Investors potentially experienced sales practice violations by securities broker Nathan Cole Wells [CRD: 5553359, Morrison, Illinois], based on publicly available information on Financial Industry Regulatory Authority (FINRA) BrokerCheck. It appears that Wells worked for Voya Financial Advisors Inc. from February 2, 2012, to June 9, 2021; Cetera Advisor Networks LLC from June 9, 2021, to […]

January 6, 2026
Christian Johnston Involved In Infinex Investments Investor Complaint About Unsuitable Advice

Investors potentially incurred losses because of securities broker Christian Harvey Johnston [CRD: 2601094, Olive Branch, Mississippi], based on disclosures on Financial Industry Regulatory Authority (FINRA) BrokerCheck. It appears that Johnston worked for LPL Financial LLC starting on November 30, 2022, after previously working for Infinex Investments Inc. from December 2, 2013, to November 30, 2022. […]

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